US Stock MarketDetailed Quotes

EVKRF GRID BATTERY METALS INC

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  • 0.023
  • -0.001-5.59%
15min DelayClose Nov 4 16:00 ET
4.32MMarket Cap1.64P/E (TTM)

GRID BATTERY METALS INC Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Mar 31, 2024
(Q2)Dec 31, 2023
(Q1)Sep 30, 2023
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(Q3)Mar 31, 2023
(Q2)Dec 31, 2022
(Q1)Sep 30, 2022
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-145.55%-364.84K
-745.78%-1.09M
-1,164.02%-791.79K
-30.50%-514.67K
-7.67%-174.89K
-10.73%-148.58K
-128.57K
35.94%-62.64K
79.17%-394.4K
59.56%-162.43K
Net income from continuing operations
-10.93%-821.72K
-462.14%-1.62M
1,589.97%1.63M
138.69%1.17M
435.26%2.1M
67.09%-740.74K
---288.4K
167.30%96.44K
-45.37%-3.02M
-39.20%-626.83K
Operating gains losses
---1.39M
--0
---2.21M
---84.35K
----
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----
----
----
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Depreciation and amortization
--2.66K
--2.66K
--2.66K
-66.27%7.09K
64.85%7.09K
--0
--0
--0
-5.70%21.02K
-22.81%4.3K
Other non cash items
--391
--443
--657.99K
--1.56K
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----
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Change In working capital
283.93%131.34K
69.65%-12.19K
-258.00%-64.65K
150.00%15.79K
46.91%-19.17K
197.14%34.21K
---40.17K
2.94%40.92K
65.39%-31.58K
-184.34%-36.12K
-Change in receivables
-39.26%4.92K
-697.78%-38.04K
-132.07%-8.01K
7,191.63%36.6K
367.67%8.3K
190.29%8.1K
---4.77K
98.68%24.97K
102.07%502
68.42%-3.1K
-Change in prepaid assets
58.26%38.8K
517.88%34.62K
-673.86%-38.55K
-48.32%-28.99K
-204.64%-51.94K
515.63%24.51K
---8.28K
97.50%6.72K
13.88%-19.55K
-149.54%-17.05K
-Change in payables and accrued expense
5,376.63%87.63K
67.66%-8.77K
-296.14%-18.1K
165.21%8.18K
253.20%24.46K
107.86%1.6K
---27.11K
-61.20%9.23K
71.69%-12.54K
-187.57%-15.97K
Cash from discontinued investing activities
Operating cash flow
-145.55%-364.84K
-745.78%-1.09M
-1,164.03%-791.79K
-30.50%-514.67K
-7.67%-174.89K
-10.73%-148.58K
---128.57K
35.94%-62.64K
79.17%-394.4K
59.56%-162.43K
Investing cash flow
Cash flow from continuing investing activities
-15,943.73%-3.02M
-829.98%-21.89K
7,211.26%2.04M
75.26%-132.75K
-231.30%-88.24K
96.16%-18.8K
3K
74.87%-28.71K
-11.89%-536.54K
124.12%67.21K
Net PPE purchase and sale
----
----
-2,852.11%-847.46K
----
----
----
----
74.87%-28.71K
----
----
Net investment purchase and sale
----
--0
--2.89M
----
----
----
--0
--0
----
----
Net other investing changes
----
----
----
75.26%-132.75K
----
----
---28.71K
--3K
---536.54K
----
Cash from discontinued investing activities
Investing cash flow
-15,943.73%-3.02M
-2,189,100.00%-21.89K
8,041.14%2.04M
75.26%-132.75K
-231.30%-88.24K
96.16%-18.8K
---1
77.50%-25.71K
-11.89%-536.54K
124.12%67.21K
Financing cash flow
Cash flow from continuing financing activities
0
0
664.5K
3,242.29%4.39M
28,556.58%2.77M
1,663.05%1.63M
0
0
-95.98%131.39K
-103.48%-9.72K
Net issuance payments of debt
--0
--0
---3K
63.40%-8K
17.70%-8K
--0
--0
--0
6.62%-21.86K
-66.14%-9.72K
Net common stock issuance
--0
--0
--480K
--4.4M
--2.77M
3,054.91%1.63M
--0
--0
--0
--0
Proceeds from stock option exercised by employees
--0
--0
--187.5K
--0
--0
--0
--0
--0
-91.37%153.25K
--0
Cash from discontinued financing activities
Financing cash flow
--0
--0
--664.5K
3,242.29%4.39M
28,556.58%2.77M
1,663.05%1.63M
--0
--0
-95.98%131.39K
-103.48%-9.72K
Net cash flow
Beginning cash position
1,671.08%5.05M
1,388.85%6.16M
745.66%4.25M
-61.43%502.11K
187.13%1.74M
-74.95%285.19K
-63.66%413.76K
-61.43%502.11K
218.02%1.3M
-64.34%607.05K
Current changes in cash
19.33%1.74M
-762.80%-1.11M
2,266.62%1.91M
568.27%3.74M
2,485.26%2.5M
374.28%1.46M
---128.57K
45.83%-88.35K
-189.60%-799.55K
73.81%-104.94K
End cash Position
289.59%6.79M
1,671.08%5.05M
1,388.85%6.16M
745.66%4.25M
745.66%4.25M
187.13%1.74M
-74.95%285.19K
-63.66%413.76K
-61.43%502.11K
-61.43%502.11K
Free cash flow
-605.45%-1.36M
-140.27%-239.94K
-1,694.53%-1.64M
-30.50%-514.67K
-129.54%-130.37K
69.04%-193.09K
---99.86K
56.92%-91.35K
83.38%-394.4K
164.87%441.32K
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
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Unqualified Opinion with Explanatory Notes
--
(Q3)Mar 31, 2024(Q2)Dec 31, 2023(Q1)Sep 30, 2023(FY)Jun 30, 2023(Q4)Jun 30, 2023(Q3)Mar 31, 2023(Q2)Dec 31, 2022(Q1)Sep 30, 2022(FY)Jun 30, 2022(Q4)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -145.55%-364.84K-745.78%-1.09M-1,164.02%-791.79K-30.50%-514.67K-7.67%-174.89K-10.73%-148.58K-128.57K35.94%-62.64K79.17%-394.4K59.56%-162.43K
Net income from continuing operations -10.93%-821.72K-462.14%-1.62M1,589.97%1.63M138.69%1.17M435.26%2.1M67.09%-740.74K---288.4K167.30%96.44K-45.37%-3.02M-39.20%-626.83K
Operating gains losses ---1.39M--0---2.21M---84.35K------------------------
Depreciation and amortization --2.66K--2.66K--2.66K-66.27%7.09K64.85%7.09K--0--0--0-5.70%21.02K-22.81%4.3K
Other non cash items --391--443--657.99K--1.56K------------------------
Change In working capital 283.93%131.34K69.65%-12.19K-258.00%-64.65K150.00%15.79K46.91%-19.17K197.14%34.21K---40.17K2.94%40.92K65.39%-31.58K-184.34%-36.12K
-Change in receivables -39.26%4.92K-697.78%-38.04K-132.07%-8.01K7,191.63%36.6K367.67%8.3K190.29%8.1K---4.77K98.68%24.97K102.07%50268.42%-3.1K
-Change in prepaid assets 58.26%38.8K517.88%34.62K-673.86%-38.55K-48.32%-28.99K-204.64%-51.94K515.63%24.51K---8.28K97.50%6.72K13.88%-19.55K-149.54%-17.05K
-Change in payables and accrued expense 5,376.63%87.63K67.66%-8.77K-296.14%-18.1K165.21%8.18K253.20%24.46K107.86%1.6K---27.11K-61.20%9.23K71.69%-12.54K-187.57%-15.97K
Cash from discontinued investing activities
Operating cash flow -145.55%-364.84K-745.78%-1.09M-1,164.03%-791.79K-30.50%-514.67K-7.67%-174.89K-10.73%-148.58K---128.57K35.94%-62.64K79.17%-394.4K59.56%-162.43K
Investing cash flow
Cash flow from continuing investing activities -15,943.73%-3.02M-829.98%-21.89K7,211.26%2.04M75.26%-132.75K-231.30%-88.24K96.16%-18.8K3K74.87%-28.71K-11.89%-536.54K124.12%67.21K
Net PPE purchase and sale ---------2,852.11%-847.46K----------------74.87%-28.71K--------
Net investment purchase and sale ------0--2.89M--------------0--0--------
Net other investing changes ------------75.26%-132.75K-----------28.71K--3K---536.54K----
Cash from discontinued investing activities
Investing cash flow -15,943.73%-3.02M-2,189,100.00%-21.89K8,041.14%2.04M75.26%-132.75K-231.30%-88.24K96.16%-18.8K---177.50%-25.71K-11.89%-536.54K124.12%67.21K
Financing cash flow
Cash flow from continuing financing activities 00664.5K3,242.29%4.39M28,556.58%2.77M1,663.05%1.63M00-95.98%131.39K-103.48%-9.72K
Net issuance payments of debt --0--0---3K63.40%-8K17.70%-8K--0--0--06.62%-21.86K-66.14%-9.72K
Net common stock issuance --0--0--480K--4.4M--2.77M3,054.91%1.63M--0--0--0--0
Proceeds from stock option exercised by employees --0--0--187.5K--0--0--0--0--0-91.37%153.25K--0
Cash from discontinued financing activities
Financing cash flow --0--0--664.5K3,242.29%4.39M28,556.58%2.77M1,663.05%1.63M--0--0-95.98%131.39K-103.48%-9.72K
Net cash flow
Beginning cash position 1,671.08%5.05M1,388.85%6.16M745.66%4.25M-61.43%502.11K187.13%1.74M-74.95%285.19K-63.66%413.76K-61.43%502.11K218.02%1.3M-64.34%607.05K
Current changes in cash 19.33%1.74M-762.80%-1.11M2,266.62%1.91M568.27%3.74M2,485.26%2.5M374.28%1.46M---128.57K45.83%-88.35K-189.60%-799.55K73.81%-104.94K
End cash Position 289.59%6.79M1,671.08%5.05M1,388.85%6.16M745.66%4.25M745.66%4.25M187.13%1.74M-74.95%285.19K-63.66%413.76K-61.43%502.11K-61.43%502.11K
Free cash flow -605.45%-1.36M-140.27%-239.94K-1,694.53%-1.64M-30.50%-514.67K-129.54%-130.37K69.04%-193.09K---99.86K56.92%-91.35K83.38%-394.4K164.87%441.32K
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----------------Unqualified Opinion with Explanatory Notes--

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